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Proposed Fiscal Year 25-26 Mid-Year Budget Update, Appropriation Requests, <br /> Workforce Changes, and Capital Improvement Program Amendment <br /> March 3, 2026 <br /> Page 8 <br /> appropriate $50,000 to the incentives account, aligning the budget with prior-year <br /> actuals. The incentives account provides financial incentives to employees for <br /> participating in the clean-air Rideshare program or for expenses related to program <br /> administration. There is sufficient fund balance to support this appropriation increase. <br /> Measure M- Street Construction Fund <br /> PWA requests two housekeeping adjustments for separate capital projects. The first <br /> adjustment would appropriate $537,796 for the Warner Avenue Improvements Project <br /> to align the project budget with the approved award amount. The second adjustment <br /> would appropriate $433,314 for the OC Streetcar Project to reflect the full $1.5 million <br /> cooperative agreement with the Orange County Transportation Authority (OCTA) and <br /> allow the City to bill and receive the remaining reimbursable funds. The cooperative <br /> agreement provides fully reimbursable funding for City costs associated with supporting <br /> delivery of the OC Streetcar Project, including plan review, inspections, approvals, <br /> coordination, and work within the public right-of-way. <br /> Workers' Compensation Fund <br /> Human Resources requests a one-time use of$3,815,800 from the Workers' <br /> Compensation Fund balance to cover estimated workers' compensation costs for the <br /> current fiscal year. These costs include employee wage continuation, medical <br /> treatment, and legal expenses for workers' compensation claims. The City's third-party <br /> administrator, AdminSure, supports claims administration by tracking, evaluating, and <br /> processing claim activity. Based on costs incurred in the first half of the fiscal year, a <br /> review of recent claim activity, and approximately one year of actual expenditures, staff <br /> expect similar cost levels to continue for the remainder of the fiscal year, driven in part <br /> by scheduled surgeries and claim settlements. The estimated workers' compensation <br /> benefit payments for the current fiscal year total $9.7 million, which includes the <br /> recommended one-time use of $3.8 million from the Workers' Compensation Fund <br /> balance. Compared to FY24-25 actual benefit payments of$7.6 million, which increased <br /> by approximately $1.7 million from FY23-24, and consistent with an upward trend in <br /> recent years, this estimate reflects continued cost pressures in the current year. <br /> As discussed in the August 5, 2025, staff report on Citywide insurance premiums, <br /> Workers' Compensation reserves were already below the City's target reserve levels. <br /> The additional one-time appropriation requested in this report will leave reserves even <br /> further below those targets. Staff is currently updating overhead charges to various City <br /> programs for Workers' Compensation costs and may return during the FY 2026-27 <br /> budget process to request one-time funding to help rebuild reserves and support the <br /> fund's long-term stability. <br /> To lower benefit payment expenditures, HR is actively working with AdminSure, City <br /> departments, and the City Attorney's Office to reduce workers' compensation claims. <br /> Risk Management has begun meeting with each department to offer Workers' <br /> City Council 20 — 8 3/3/2026 <br />